Bought in at the break of 6 after the pullback at market open and was in profits but not close to my price target which was 7.00 since PM high was 7.26, the spreads were horrible and my stop loss was 5.50 (mental because of spreads) so I sold at 5.51, about 5 min later it broke back over 6.00 I jumped in again at break of 7 got a bad fill of 7.12 instead of 7.00 in anticipation of PM high again, ticker hit 7.48 for a second but was very heavy and ended up coming down again. I sold at 7.22 from 7.12 did not make up my losses though :(
Execution detail:
Date/time | Symbol | Side | Price | Position |
---|---|---|---|---|
2018-10-29 09:30:15 | SOLO | buy | $6.000 | long |
2018-10-29 09:34:33 | SOLO | sell | $5.510 | 0 |
2018-10-29 09:43:45 | SOLO | buy | $7.120 | long |
2018-10-29 09:43:45 | SOLO | buy | $7.120 | long |
2018-10-29 09:43:45 | SOLO | buy | $7.120 | long |
2018-10-29 09:45:02 | SOLO | sell | $7.220 | long |
2018-10-29 09:45:02 | SOLO | sell | $7.206 | 0 |
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